CBL & Associates Properties, Inc.

NYSE:CBL

26.27 (USD) • At close November 1, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 123.07644.718169.55461.78132.81625.13832.62718.95136.89237.93865.578.24856.09250.89648.06251.2265.82628.728.83825.76698.80813.35510.1375.1847.0745.82769.2324.3000
Kortetermijnbeleggingen 262.142292.422149.996233.071000000000000142.5500000000000000
Liquide middelen en kortetermijnbeleggingen 123.076337.14319.55294.85232.81625.13832.62718.95136.89237.93865.578.24856.09250.89648.06251.22208.37628.728.83825.76698.80813.35510.1375.1847.0745.82769.2324.3000
Nettovorderingen 46.188463.258648.974119.65390.70692.971100.067117.706123.48281.33879.89978.96385.752081.33286.54782.82781.22961.29152.11545.19841.68641.18641.86932.47828.53125.6927.36210.58.67.2
Voorraad 00199.537171.394-4,598.74100-6,064.201-36.1960000000000000000000000
Overige vlottende activa -169.264-89.214-199.537-171.394-123.5225,340.8535,704.8086,104.6463.10473.2480.89957.9310007,590.7667,537.41500000000000000
Totaal vlottende activa 550.079800.398968.524414.505147.127145.599162.822177.096187.282192.516226.298215.142141.84450.896129.3947,728.5337,828.618109.92990.12977.881144.00655.04151.32347.05339.55234.35894.92231.66210.58.67.2
Niet-vlottende activa:
Materiële vaste activa, netto 1,282.8661,663.9872.973.3033.8044,754.5555,156.8355,514.6785,857.9535,947.1756,067.1576,299.5576,005.6707,095.0357,321.487,402.2786,094.2515,944.4284,894.783,912.223,611.4853,201.6222,040.6141,960.5541,805.7881,142.324987.26758.9679.7578.3
Goodwill 0000-175.904-28.522-59.67-58.86800000000000000000000000
Immateriële activa 197.257136.563104.685132.18938.33548.65566.7964.70980.60182.7299.605127.3232.965265.607279.95305.802276.42900000000000000
Goodwill en immateriële activa 197.257136.563104.685132.18938.33520.1337.125.84180.60182.7299.605127.3232.965265.607279.95305.802276.42900000000000000
Langetermijnbeleggingen 435.83177.295103.655279.355307.354283.553249.192266.872311.067301.961291.119287.489304.71179.41186.523207.618142.5578.8260000000000000
Belastingvorderingen 10.9589.72610.853-3.30315.1175,340.8535,704.8086,104.646.431000-232.9650-466.473-513.42-142.5500000000000000
Overige niet-vlottende activa -71.086-9.7261,755.2923,617.6914,110.609-5,203.84-5,575.969-5,964.48736.65774.8101.792-6,714.346267.2040504.681-7,015.678-7,402.278-78.826-5,944.428-4,894.78-3,912.22-3,611.485-3,201.622-2,040.614-1,960.554-1,805.788-1,142.324-987.26-758.9-679.7-578.3
Totaal niet-vlottende activa 1,855.8261,877.8451,977.4554,029.2354,475.2195,195.2545,541.9865,927.5446,292.7096,406.6566,559.6736,714.3466,577.584445.0177,599.716305.802276.4296,094.2515,944.4284,894.783,912.223,611.4853,201.6222,040.6141,960.5541,805.7881,142.324987.26758.9679.7578.3
Totaal activa 2,405.9052,678.2432,945.9794,443.744,622.346664.093667.72757.3146,479.9916,599.1726,785.9717,089.7366,719.428495.9137,729.118,034.3358,105.0475,959.365,742.8474,637.8943,736.8793,294.6012,941.751,940.91,848.0881,687.3071,121.128911.5700.5620.2519.7
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 106.077200.312184.404164.006218.967187.514166.787199.205254.656240.631279.345295.3790000000000000000000
Kortlopende schulden 180.687321.695420.213675.926222.3533,379.0873,563.1253,707.98596.2440000000142.5500000000000000
Belastingschulden 0000000000000000000000000000000
Uitgestelde opbrengsten -106.077-522.007-572.084-164.006-222.353-7,609.781-7,960.757-8,372.479-595.810000000000000000000000
Overige kortlopende verplichtingen -180.687200.312151.871167.3368.5024,305.1134,459.4954,745.79289.34485.49550.52357.69303.5770248.3331,1451,172.65869.5929.7790.8717.7651.8534.8256.4238.2231.4172.8162.8000
Totaal kortlopende verplichtingen 106.077200.312184.404843.262227.469261.933228.65280.498344.434326.126329.868353.069303.5770248.3331,1451,315.2869.5929.7790.8717.7651.8534.8256.4238.2231.4172.8162.8000
Langlopende verplichtingen:
Langetermijnschulden 1,708.1162,110.8022,360.4753,066.4463,304.6624,043.184,230.8454,465.2944,114.3844,685.5594,861.534,751.4884,489.35505,616.13905,869.3184,564.5354,341.0553,371.6792,738.1022,402.0792,315.9551,424.3371,360.7531,208.204741.413590.295392.8373.3276.9
Uitgestelde opbrengsten niet-vlottend 2,075.2882,311.1142,544.8793,909.7083,758.3214,305.1134,459.4954,745.792251.810000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 80.408110.616316.678.4988.50213.57320.23426.980.6720000000000000000000000
Overige niet-vlottende verplichtingen -1,894.601-2,421.73-2,861.479-3,988.206-3,540.633-4,318.686-4,479.729-4,772.772343.76200-4,751.48800444.2596,095.7-0.018-0.0350.045-12.179-28.8020.0210.045-0.0370.047-0.004-0.0130.005000
Totaal niet-vlottende verplichtingen 1,969.2112,110.8022,360.4753,066.4463,530.8524,043.184,230.8454,465.2944,710.6284,685.5594,861.534,751.4884,489.35506,060.3986,095.75,869.34,564.54,341.13,359.52,709.32,402.12,3161,424.31,360.81,208.2741.4590.3392.8373.3276.9
Totaal passiva 2,075.2882,311.1142,544.8793,909.7083,758.3211.7271.7111.7085,055.0625,011.6855,191.3985,104.5574,792.93206,308.7316,425.6676,264.2024,874.5044,661.3253,583.7432,899.5792,553.4112,419.6621,506.0751,428.2011,271.525790.275638.696429.6410.9302.9
Eigen vermogen:
Preferente aandelen 0000.0250.0250000.0250.0250.0250.0250.0050.0050.0050.0050.0050.020000000000000
Gewone aandelen 0.0320.0320.0211.9661.7411.7271.7111.7081.7051.7031.71.6131.4841.4791.3790.6640.6620.6540.6250.3130.3030.2980.2560.2510.2480.2460.2410.21000
Ingehouden winsten -380.446-338.934-151.545-1,456.435-1,161.351964.1371,140.0041,228.714-689.028-566.785-570.781-453.561-399.581-366.526-283.64-193.307-70.1549.70151.70831.09520.966-22.444-27.796-27.935-36.265-36.235-28.433-20.855-0.4-10.4-2.9
Overige gereserveerde algehele resultaten 0.61-1.054-0.0030.018-1,161.3511,035.741,245.3131,358.8481,972.038-553.374-564.456737.855-1,505.84-13-1,102.767-924.297-727.907-575.464-467.614-434.84-346.94-271.046-223.548-177.055-145.641-114.536000
Overige totale aandeelhoudersvermogen 719.125710.497547.7261,986.2693,127.2483,339.2494,154.0494,257.4480.232,524.9832,538.4251,773.6161,658.371,657.5252,905.992999.2962,092.8021,998.7781,757.0961,598.2071,283.6451,198.176896.568733.555679.452628.826504.686407.985271.3219.7219.7
Totaal eigen vermogen van aandeelhouders 339.321370.541396.199531.843806.3125,340.8535,704.8086,104.641,284.971,406.5521,404.9131,328.6931,263.2781,300.3381,117.896793.658920.5481,084.8561,081.5221,054.151837.3741.19522.088434.825419.887415.782330.853272.804270.9209.3216.8
Totaal eigen vermogen 330.617367.129401.1534.032864.0259,372.4689,923.2610,577.9631,424.9291,587.4871,594.5731,985.1791,295.5491,334.7171,140.585793.658920.5481,084.8561,081.5221,054.151837.3741.19522.088434.825419.887415.782330.853272.804270.9209.3216.8
Totaal passiva en aandeelhoudersvermogen 2,405.9052,678.2432,945.9794,443.744,622.3464,056.7534,251.0794,492.2746,479.9916,599.1726,785.9716,897.3326,056.216,824.7367,426.6278,034.3358,105.0475,959.365,742.8474,637.8943,736.8793,294.6012,941.751,940.91,848.0881,687.3071,121.128911.5700.5620.2519.7